Golden Era for Credit: Floating-Rate Market Opportunities for 2024Golden Era for Credit: Floating-Rate Market Opportunities for 2024
Available On Demand
February 20, 2024
![MorganStanley_Featured Image_iStock-1314539593.jpg MorganStanley_Featured Image_iStock-1314539593.jpg](https://eu-images.contentstack.com/v3/assets/bltabaa95ef14172c61/blt53c53f3ae35857bd/672ca21ee98233f4c520577c/MorganStanley_Featured_20Image_iStock-1314539593.jpg?width=1280&auto=webp&quality=95&format=jpg&disable=upscale)
Date: Feb 20, 2024
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Join us for this exclusive webinar, which will delve into credit market opportunities as investors face the 60/40 portfolio conundrum entering 2024. Higher probabilities of a “soft landing” enamored market participants late last year, with global equity and fixed income asset classes pulling the good news forward in dramatic fashion. What can investors expect now, and how can they optimize their allocations going forward?
At this event, we will explore the thriving opportunities in floating-rate credit investments and cover:
Current yield opportunity for liquid corporate loans, bonds and structured credit investments
Characteristics that make floating-rate credit markets attractive, even in the face of rate cuts
Our view of the default picture, and what’s “priced in” to current valuations
Distinctions with private credit strategies, and how liquid and private markets work together
The roles floating-rate credit strategies can play within client portfolios
CFP, CIMA®, CPWA®, CIMC®, RMA®, and AEP® CE Credits have been applied for and are pending approval.
Produced by
Sponsored by
Anthony Rochte
Managing Director, Global Head of Exchange-Traded Funds
Morgan Stanley Investment Management
Ralph Hinckley, CFA
Managing Director, Portfolio Manager and Senior Credit Analyst
Eaton Vance
Christopher Remington
Managing Director, Institutional Portfolio Manager
Eaton Vance
David Armstrong - Host
Director of Editorial Strategy and Operations for the Wealth Management Group
WealthManagement.com